Crossref Citations
This article has been cited by the following publications. This list is generated based on data provided by
Crossref.
Massa, Massimo
and
Rehman, Zahid
2008.
Information flows within financial conglomerates: Evidence from the banks–mutual funds relation.
Journal of Financial Economics,
Vol. 89,
Issue. 2,
p.
288.
Chandra, Uday
and
Nayar, Nandkumar (Nandu)
2008.
The Information Content of Private Debt Placements.
Journal of Business Finance & Accounting,
Vol. 35,
Issue. 9-10,
p.
1164.
COOPER, MICHAEL J.
GULEN, HUSEYIN
and
SCHILL, MICHAEL J.
2008.
Asset Growth and the Cross‐Section of Stock Returns.
The Journal of Finance,
Vol. 63,
Issue. 4,
p.
1609.
Berndt, Antje
and
Gupta, Anurag
2008.
Moral Hazard and Adverse Selection in the Originate-to-Distribute Model of Bank Credit.
SSRN Electronic Journal,
Berndt, Antje
and
Gupta, Anurag
2009.
Moral hazard and adverse selection in the originate-to-distribute model of bank credit.
Journal of Monetary Economics,
Vol. 56,
Issue. 5,
p.
725.
Mason, Joseph R.
Higgins, Eric James
and
Mordel, Adi
2009.
Asset Sales, Recourse, and Investor Reactions to Initial Securitizations: Evidence Why Off-balance Sheet Accounting Treatment Does not Remove On-balance Sheet Financial Risk.
SSRN Electronic Journal,
Butler, Alexander W.
Cornaggia, Jess
Grullon, Gustavo
and
Weston, James Peter
2009.
Corporate Financing Decisions and Managerial Market Timing.
SSRN Electronic Journal,
Chu, Ling
Mathieu, Robert
and
Mbagwu, Chima
2009.
The Impact of Corporate Governance and Audit Quality on the Cost of Private Loans*.
Accounting Perspectives,
Vol. 8,
Issue. 4,
p.
277.
Agusman, Agusman
Monroe, Gary S.
Gasbarro, Dominic
and
Zumwalt, J. Kenton
2009.
Loan Loss Reserves and Bank Stock Returns: Evidence from Asian Banks.
SSRN Electronic Journal,
Li, Erica X. N.
Livdan, Dmitry
and
Zhang, Lu
2009.
Anomalies.
Review of Financial Studies,
Vol. 22,
Issue. 11,
p.
4301.
Lipson, Marc L.
Mortal, Sandra
and
Schill, Michael J.
2009.
On the Scope and Drivers of the Asset Growth Effect.
SSRN Electronic Journal,
Lee, Kwang-Won
and
Sharpe, Ian G.
2009.
Does a Bank’s Loan Screening and Monitoring Matter?.
Journal of Financial Services Research,
Vol. 35,
Issue. 1,
p.
33.
Ferguson, Colin
Finn, Frank
Hall, Jason
and
Pinnuck, Matt
2010.
Speculation and e-commerce: The long and the short of IT.
International Journal of Accounting Information Systems,
Vol. 11,
Issue. 2,
p.
79.
Chen, Xuanjuan
Kim, Kenneth A.
Yao, Tong
and
Yu, Tong
2010.
On the predictability of Chinese stock returns.
Pacific-Basin Finance Journal,
Vol. 18,
Issue. 4,
p.
403.
Richardson, Scott
Tuna, İrem
and
Wysocki, Peter
2010.
Accounting anomalies and fundamental analysis: A review of recent research advances.
Journal of Accounting and Economics,
Vol. 50,
Issue. 2-3,
p.
410.
Godlewski, Christophe J.
Fungacova, Zuzana
and
Weill, Laurent
2010.
Stock Market Reaction to Debt Financing Arrangements in Russia.
SSRN Electronic Journal,
Richardson, Scott A.
Wysocki, Peter D.
and
Tuna, A. Irem
2010.
Accounting Anomalies and Fundamental Analysis: A Review of Recent Research Advances.
SSRN Electronic Journal,
Bailey, Warren
Huang, Wei
and
Yang, Zhishu
2011.
Bank Loans with Chinese Characteristics: Some Evidence on Inside Debt in a State-Controlled Banking System.
Journal of Financial and Quantitative Analysis,
Vol. 46,
Issue. 6,
p.
1795.
Papanastasopoulos, Georgios
Thomakos, Dimitrios
and
Wang, Tao
2011.
Accruals and the performance of stock returns following external financing activities.
The British Accounting Review,
Vol. 43,
Issue. 3,
p.
214.
Qing, Carol Chen
Gan, Christopher
and
Li, Zhaohua
2011.
An empirical analysis of the effects of market response to bank loan announcements in Hong Kong stock market.
Journal of Banking Regulation,
Vol. 12,
Issue. 3,
p.
210.